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Category:Financial Assurance Document
MONTHYEARML22320A5592022-11-16016 November 2022 2022 Annual Report - Guarantees of Payment of Deferred Premiums NMP1L3458, Constellation Energy Generation, LLC, Annual Property Insurance Status Report2022-04-0101 April 2022 Constellation Energy Generation, LLC, Annual Property Insurance Status Report ML21272A2782021-09-29029 September 2021 Updated Projected Financial Statements for Spinco Consolidated RS-20-037, Annual Property Insurance Status Report2020-04-0101 April 2020 Annual Property Insurance Status Report JAFP-19-0039, Submittal of Annual Property Insurance Status Report2019-04-0101 April 2019 Submittal of Annual Property Insurance Status Report ML18338A1082018-10-25025 October 2018 Marsh USA, Inc., Certificate of Liability Insurance RS-16-094, Property Insurance Status Report for Braidwood Station, Byron Station, Calvert Cliffs, Clinton Power, Dresden Nuclear, LaSalle County, Limerick Generating, Nine Mile Point, Oyster Creek, Peach Bottom, Quad Cities, R.E Ginna, Three Mile Isl2016-04-25025 April 2016 Property Insurance Status Report for Braidwood Station, Byron Station, Calvert Cliffs, Clinton Power, Dresden Nuclear, LaSalle County, Limerick Generating, Nine Mile Point, Oyster Creek, Peach Bottom, Quad Cities, R.E Ginna, Three Mile Isla RS-16-071, Annual Property Insurance Status Report2016-04-0101 April 2016 Annual Property Insurance Status Report ML16032A1282016-01-0707 January 2016 Certificate of Nuclear Energy Liability Insurance ML15307A3782015-11-0202 November 2015 Submits 2015 Annual Report - Guarantees of Payment of Deferred Premiums ML14085A3312014-03-24024 March 2014 Units 1 and 2 and R. E. Ginna - 2013 Annual Report-Guarantees of Payment of Deferred Premiums ML13360A2002013-12-17017 December 2013 Response to Nrc'S Request for Additional Information Regarding Application for Order Approving Transfer of Operating Authority and Conforming License Amendments ML13211A3142013-07-29029 July 2013 Submittal of Consolidated Statements of Cash Flows Guarantee of Payment of Deferred Premiums ML13092A1012013-03-28028 March 2013 Submittal of Status of Nuclear Property Insurance Requirements ML13092A1042013-03-28028 March 2013 Constellation Energy Nuclear Group, LLC - 2012 Annual Report-Guarantees of Payment of Deferred Premiums ML13098A0842013-03-27027 March 2013 Decommissioning Funding Status Report ML12201B3992012-07-18018 July 2012 Guarantee of Payment of Deferred Premiums ML12088A0142012-03-12012 March 2012 Property Insurance Requirements, 10 CFR 50.54 (w)(3) ML1123512502011-11-14014 November 2011 2010 DFS Report Analysis for Calvert Cliffs Nuclear Power Plant, Unit 1 ML1123512522011-11-14014 November 2011 2010 DFS Report Analysis for Calvert Cliffs Nuclear Power Plant, Unit 2 ML1109001842011-03-29029 March 2011 Property Insurance Requirement, 10 CFR 50.549(w)(3) ML1018700222010-07-0101 July 2010 Submittal of Consolidated Statements of Cash Flows, Guarantee of Payment of Deferred Premiums ML1007002402010-03-0909 March 2010 Property Insurance Requirements Report ML0921504202009-07-30030 July 2009 Units I & 2, Submittal of Guarantee of Payment of Deferred Premiums ML0907608642009-03-17017 March 2009 Nuclear Property Insurance Requirements, 10 CFR 50.54(w)(3) ML0721802412007-07-31031 July 2007 Guarantee of Payment of Deferred Premiums ML0521500912005-07-28028 July 2005 Guarantee of Payment of Deferred Premiums ML0509400242005-03-29029 March 2005 Plants 2005 Report on Status of Decommissioning Funding ML0421700302004-07-30030 July 2004 Guarantee of Retrospective Premium 2022-04-01
[Table view] Category:Letter
MONTHYEARIR 05000336/20240032024-11-0707 November 2024 Integrated Inspection Report 05000336/2024003 and 05000423/2024003 and Apparent Violation and Independent Spent Fuel Storage Installation Inspection Report 07200008/2024001 IR 05000318/20240072024-11-0606 November 2024 Assessment Follow-Up Letter for Calvert Cliffs Nuclear Power Plant, Unit 2 (Report 05000318/2024007) IR 05000317/20240032024-10-22022 October 2024 Integrated Inspection Report 05000317/2024003, 05000318/2024003, and Independent Spent Fuel Storage Installation Report 07200008/2024001 RS-24-093, Response to Request for Additional Information - Alternative Request to Utilize Code Case OMN-32, Alternative Requirements for Range and Accuracy of Pressure, Flow, and Differential Pressure Instruments Used in Pump Tests2024-10-10010 October 2024 Response to Request for Additional Information - Alternative Request to Utilize Code Case OMN-32, Alternative Requirements for Range and Accuracy of Pressure, Flow, and Differential Pressure Instruments Used in Pump Tests ML24283A0012024-10-0909 October 2024 Senior Reactor and Reactor Operator Initial License Examinations IR 05000317/20245012024-10-0707 October 2024 Emergency Preparedness Biennial Exercise Inspection Report 05000317/2024501 and 05000318/2024501 ML24275A2442024-10-0303 October 2024 Reassignment of the U.S. Nuclear Regulatory Commission Branch Chief, Division of Operating Reactor Licensing ML24255A8642024-09-0606 September 2024 Rscc Wire & Cable LLC Dba Marmon Industrial Energy & Infrastructure - Part 21 Retraction of Final Notification IR 05000317/20240052024-08-29029 August 2024 Updated Inspection Plan for Calvert Cliffs Nuclear Power Plant, Units 1 and 2 (Report 05000317/2024005 and 05000318/2024005) ML24240A2462024-08-27027 August 2024 Submittal of the Reactor Vessel Material Surveillance Program Capsule Technical Report ML24240A1112024-08-27027 August 2024 Registration of Use of Casks to Store Spent Fuel ML24222A6772024-08-0909 August 2024 Response to Request for Additional Information for Application to Revise Technical Specifications to Adopt TSTF-591-A, Revise Risk Informed Completion Time (RICT) Program Revision 0 and Revise 10 CFR 50.69 License Condition IR 05000317/20240022024-08-0606 August 2024 Integrated Inspection Report 05000317/2024002 and 05000318/2024002 IR 05000317/20240102024-07-31031 July 2024 Age-Related Degradation Inspection Report 05000317/2024010 and 05000318/2024010 ML24179A3262024-07-23023 July 2024 LTR - Constellation - SG Welds and Nozzles (L-2023-LLR-0053, L-2023-LLR-0054, L-2023-LLR-0055, L-2023-LLR-0056) ML24198A0442024-07-16016 July 2024 Inservice Inspection Report IR 05000317/20244012024-07-0909 July 2024 Security Baseline Inspection Report 05000317/2024401 and 05000318/2024401 ML24177A1832024-06-25025 June 2024 Inservice Inspection Report RS-24-061, Constellation Energy Generation, LLC, Response to NRC Regulatory Issue Summary 2024-01, Preparation and Scheduling of Operator Licensing Examinations2024-06-14014 June 2024 Constellation Energy Generation, LLC, Response to NRC Regulatory Issue Summary 2024-01, Preparation and Scheduling of Operator Licensing Examinations ML24161A0012024-06-0909 June 2024 Independent Spent Fuel Storage Installation, Annual Radioactive Effluent Release Report ML24150A0522024-05-29029 May 2024 Operator Licensing Examination Approval ML24079A0762024-05-23023 May 2024 Issuance of Amendments to Adopt TSTF 264 ML24136A1962024-05-15015 May 2024 Independent Spent Fuel Storage Installation - Annual Radiological Environmental Operating Report IR 05000317/20240012024-05-0707 May 2024 Integrated Inspection Report 05000317/2024001 and 05000318/2024001 RS-24-041, Alternative Request to Utilize Code Case OMN-32, Alternative Requirements for Range and Accuracy of Pressure, Flow, and Differential Pressure Instruments Used in Pump Tests2024-04-30030 April 2024 Alternative Request to Utilize Code Case OMN-32, Alternative Requirements for Range and Accuracy of Pressure, Flow, and Differential Pressure Instruments Used in Pump Tests 05000317/LER-2024-002, Emergency Diesel Generators Automatic Start Due to Loss of a 13kV Bus2024-04-29029 April 2024 Emergency Diesel Generators Automatic Start Due to Loss of a 13kV Bus 05000318/LER-2024-001, Manual Reactor Trip Due to 22 Steam Generator Feed Pump Trip2024-04-24024 April 2024 Manual Reactor Trip Due to 22 Steam Generator Feed Pump Trip ML24101A1942024-04-22022 April 2024 Closeout Letter for GL 2004-02 ML24114A0182024-04-18018 April 2024 Electronic Reporting of Occupational Exposure Reporting 05000318/LER-2023-004-01, Automatic Reactor Trip from Reactor Protection System Actuation Due to Loss of Unit Service Transformer2024-04-12012 April 2024 Automatic Reactor Trip from Reactor Protection System Actuation Due to Loss of Unit Service Transformer ML24103A2042024-04-12012 April 2024 Constellation Energy Generation, LLC, Application to Revise Technical Specifications to Adopt TSTF-591-A, Revise Risk Informed Completion Time (RICT) Program Revision 0 and Revise 10 CFR 50.69 License Condition IR 05000317/20240402024-04-11011 April 2024 95001 Supplemental Inspection Report 05000317/2024040 and Follow-Up Assessment Letter RS-24-002, Constellation Energy Generation, LLC - Annual Property Insurance Status Report2024-04-0101 April 2024 Constellation Energy Generation, LLC - Annual Property Insurance Status Report ML24082A0082024-03-22022 March 2024 Request for Exemption from Certain Requirements of 10 CFR 72.212 and 10 CFR 72.214 ML24078A1152024-03-18018 March 2024 10 CFR 50.46 Annual Report ML24059A0632024-03-15015 March 2024 Authorization and Safety Evaluation for Alternative Request ISI-05-021 (EPID L-2023-LLR-0006) - Non-Proprietary IR 05000317/20230062024-02-28028 February 2024 Annual Assessment Letter for Calvert Cliffs Nuclear Power Plant, Units 1 and 2, (Reports 05000317/2023006 and 05000318/2023006 ML24052A0072024-02-14014 February 2024 Core Operating Limits Report for Unit 1, Cycle 27, Revision 0 ML24040A1492024-02-0909 February 2024 Response to NRC Request for Additional Information Regarding Final Response to Generic Letter 2004-02 ML24040A0962024-02-0909 February 2024 Notification of Readiness for NRC 95001 Inspection IR 05000317/20230042024-02-0101 February 2024 Integrated Inspection Report 05000317/2023004 and 05000318/2023004 ML24029A0102024-01-29029 January 2024 Request for Information and Notification of Conduct of IP 71111.21.N.04, Age-Related Degradation, Reference Inspection Report 05000317/2024010 and 05000318/2024010 ML24003A8872024-01-19019 January 2024 Exemption from Select Requirements of 10 CFR Part 73 (EPID L-2023-LLE-0033 (Security Notifications, Reports, and Recordkeeping and Suspicious Activity Reporting)) ML24011A0732024-01-11011 January 2024 Proposed Alternative to the Requirements for Repair/Replacement of Saltwater (SW) System Buried Piping 05000318/LER-2023-003, Forward LER 2023-003-00 for Calvert Cliffs Nuclear Power Plant, Unit 2, Manual Actuation of Auxiliary Feedwater System Due to 22 Steam Generator Feedwater Pump Trip2024-01-0808 January 2024 Forward LER 2023-003-00 for Calvert Cliffs Nuclear Power Plant, Unit 2, Manual Actuation of Auxiliary Feedwater System Due to 22 Steam Generator Feedwater Pump Trip ML24005A0222024-01-0505 January 2024 Revised Steam Generator Tube Inspection Reports ML23304A0642024-01-0202 January 2024 Issuance of Amendment No. 349 to Modify the Long-Term Coupon Surveillance Program RS-23-125, Request for Exemption from 10 CFR 2.109(b)2023-12-0707 December 2023 Request for Exemption from 10 CFR 2.109(b) ML23331A2992023-11-27027 November 2023 Submittal of Condition Prohibited by Technical Specifications Due to Failure to Sample Diesel Generator Fuel Oil Storage Tank IR 05000317/20230102023-11-20020 November 2023 Biennial Problem Identification and Resolution Inspection Report 05000317/2023010 and 05000318/2023010 2024-09-06
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Calvert Cliffs Nuclear Power Plant 1650 Calvert Cliffs Parkway Lusby, Maryland 20657 CENG a joint venture of Constellation Energy 6'eDF CALVERT CLIFFS NUCLEAR POWER PLANT July 1, 2010 U. S. Nuclear Regulatory Commission Washington, DC 20555 ATTENTION: Document Control Desk
SUBJECT:
Calvert Cliffs Nuclear Power Plant Unit Nos. I & 2; Docket Nos. 50-317 & 50-318 Guarantee of Payment of Deferred Premiums Pursuant to the requirements of 10 CFR 140.21(e), enclosed are the Consolidated Statements of Cash Flows, i.e., page 60 of the Constellation Energy Group, Inc., Form 10K (Annual Report) and page 5 of Constellation Energy Nuclear Group Consolidated Financial Statements for the period November 6, 2009 through December 31, 2009, to the Securities and Exchange Commission for the fiscal year ended December 31, 2009.
This enclosure shows that Constellation Energy Group/Constellation Energy Nuclear Group has a cash flow that can be generated and would be available for payment of the Calvert Cliffs Nuclear Power Plant, Inc./Calvert Cliffs Nuclear Power Plant, LLC, retrospective premiums of $15 million per unit.
Should you have questions regarding this matter, please contact me at (410) 495-5219.
Very truly yours, Douglas E. Lauver Director - Licensing DEL/RDW/bjd
Enclosure:
(1) Consolidated Statements of Cash Flows cc: D. V. Pickett, NRC Resident Inspector, NRC S. J. Collins, NRC S. Gray, DNR MW4
ENCLOSURE (1)
CONSOLIDATED STATEMENTS OF CASH FLOWS Calvert Cliffs Nuclear Power Plant, LLC July 1, 2010
Cash Flows The following table summarizes our 2009 cash flows by business segment. as well as our consolidated~cash flows for 2009, 2008, and 2007.
2009 Segment. Cash Flows CoJnsolidaeld Cash Flows Holding, Company
,Merchant Repulated and Other 2009 2008 2007 (In millions)
Operating Aetivities Net -income (loss) $ 4A35.0 $ 104.6 s (362) C5 4,503.4 $(1,318.4) .833.5 Noni-eash merger termination and strategic alternatives costs 128.2 128.2 541,8 Derivative, contracts classified as financing,acrivities (1) 1A138.3 1,138.3 (107.2) 322 Gain on.sal-of 49.99% membership interest in CENG (7,445.6) (7,445.6)
Loss (gain) on divestitures 464.2 4.6 468.8 (38.1)
Accrual of BGE residcntial customri credit 112.4 112.4 Impairment losses and other costs 98.1 26.6 124.7 741.8 20.2 602.9 Other non-cash adjustments to net (loss) income 2,071.2 525.0 164.8 2,761.0 493.0 Changes in working capital Derivative assers nd. liabilities, excluding, collateral 419.4 (0.1) 6.0 425.3 (7.57.9) (138.2)
Net collateral and margin 1,519.,2 3.6 - 1,522.8 (960.3) 19.6 Other changes 803.2 20.9 (57.1) 767.0 93.6 (242.4)
Defined benefit oblig*tioifs (2)ý -. (287.2) (20.8) (53.6)
- 48. I Othcr (44.4) 168.0 171.7 (38.5) (53.3)
Net-cash provided by (used in).operating ictiviiies, 3,586.8 814.5 276.7- 4,390.8 (1,261..) 941.0 Investing Activities Investments in property, plant and equipment (1,118.7) (372.4) (38O6) (1,529.7) (1,934.1) (1,295.7):
(4i1.1:)
Asset acquitiitns and busiiness'combinations, nct of casbhls uired -- (41A1) (315.3) (347;5)
Cotitriburions to nudctarcdlconitissioning.,(rust finds i(38.-) (18.7) (8.8)
Investments in joint ventures (11 0.0) (91*.6) (201*.6)
Issistncaes of loans receivable (19.01 Proceeds from sale of.49.99% membership interest in CENG :3,528.7 3,528.7 Proceeds from salerof investments and other asets 50.0 8.,3 446.3 13.9 Contract and portfolio acquisitions (2;I 53.7) (2,153,7) (474.2)
(increase). decrease in restricted finds (3) (0.2) (0.6) 1',004.1 1,003.3
Other investments 0.3 -- (02) 21.7 (453)
Net cash provided by (used in),investing aitivitics 177.7 .(373.0) 870.9 675.6 (2,7429) (2,286.5).
Cash flows from operating acividtes plusecash flows from investing activities $ 3,7645 $I441,5 S1.147..6 5,066.4 (4,004.0) (1,345.5)
Finmacing Activities (2)
NiO (repayment) issuance of debt (2,660.4) 3,447.7 (33.1)
L.ebtaand credit facility costs (98.4) (104.8) -
Procceds from issuance of common stock 33.9 17.6 65.1 Common stock dividends paid (228.0) (336.3) (306.0)
BGE' preference stock dividendis paid (13.2) (.13.2) (13.2)
Reacquisition of cosmmon stock' -- (1.6.2) (409.5)
Proceeds from contract and, portfolio acquisitions .2,263,1 -- 847.8 Dirivadte contracts clhssiHfid as financing activities (1) (1,138-3) 107,2 (32.2)
Other 12.7 8.3 33.4
'Net cash (used in) provided by financing. qtiaviienis (1,828.6) 3,110.3 152.3 Net increase (decrease) in cads and cash equivalents . $3,237.8 $i (893.7) $(1,193.2)
(1) All ouisoirig cAshflows from deivriw. rn' ontraejs slesoý.d to consaun afnaniing elernenr.as inception muir bie rs'cessifiedyrom.. operarng activities. to financing activities.
(2) Items are not..aliocaridw die buiics,segrninss becasse thtey are #anagedfjre.the d6mpany as a whoh,..
(3) The (inorate) decreoase in rersireter funds ia our itflding Companyýand Other is primarilj retated to. Si. .bitlion of eimrirrid cash reatedto the, issuance
,of Serhi B Prefetrid Stocvk to .EDJ:t These funt/ wire h.,ldt.ot/se holding.company and were. rririedfprpaymenr of ihe 14% Senior Notes held by MidAmerican. The 14%,%Senor ]Notes weiv repaidit full in January200,9.
Certain prior-year a rmountc hai'e been riclassified to conform wdhb tike. currenrt years;presenratibn.
60
Constellation Energy Nuclear Group, LLC For the period November 6 thro6gh December 31, Z009 (17 Thouwamd of U.S Dollars)
Cash Flows From Operating Activities Net Inc'ome $ 68,519 Adjustmenc'slro, recocile to net cash provided by,6peraring activi:ies:
Amortization of -nuclear Fuiel 24,0668 Depreciation 17.160.
Amortizaadon of Ginna power.purchase agreemeuit (882)
Accretion of asset retirement obligations 11,257 Net earnings on nuclear decommissioning trust funds (5,216)
Provision for income taxes on nuclear decommissioning trust fund earnings 1,333 Defined benefit obligation expense 6,676 Defined b~eneit obligation payments (1,202),
Long-term incentive plan compensation 778 Changes in:
Accounts receivable (76,747)
Spare parts, materials, and supplies (3,585)
Prepaid expenses and other current assets 91568 Deferred costs, ofCECG power:scrvices agency agreement (3,726)
Accounts payable and, accrued liabilities 10,290 l(et cash provided,;by operating activities 58,$291 Cash Flows From Investing Activities Investments in property, plant, andr.equipment (34,493)
Purchases of nuclear.fuel. (12,760)
Investments in nuclear decornmissioning trust,Rind securities (300697)
Proceeds from the sale 6f~iuclear decommissioning tnust fund, securities 30;697 Net cash used in ýiivestingactivities (47,253)
Cash Flows From Financing Activities-Distributions to members. (13,515)
Net cash used in financing activities (13,515)
NetDecrease in Cash and Cash Equivalents (2,477)
Cash and Cash Equivalents at Beginning of Period 224,920
,Cash and Cash. Equivalents at End of Period $ 222,44.3 The iacc0miiipatying notestare an infrgrýd part ofthese consolidatedfinanial statements.
5,